Job Description
Senior Capital Markets Analyst – Real Estate Debt
An exciting opportunity has arisen to join a top tier private equity real estate investment manager with a strong track record across pan-European markets. The firm manages €5bn+ in AUM and has substantial capital available for deployment.
This is a broad and dynamic role suited to a technically strong and ambitious individual with a real estate financing background and a growth mindset. The role offers excellent exposure to capital markets, portfolio management, and fundraising activities within a leading pan-European real estate platform.
Key Responsibilities:
- Debt modelling on acquisitions and refinancing of owned assets
- Analysing returns on new investments (gross to net, accounting for fees, taxes, promotes, etc.)
- Supporting portfolio exits and wider corporate finance opportunities
- Debt management: refinancing strategies, lender relationship management, and securing approvals for asset management initiatives
- Monitoring investment performance versus underwriting, with recommendations for improvement
- Consolidated fund return forecasting and business plan updates across multiple investments
- Working alongside asset management to drive value and optimise returns
- Supporting fundraising initiatives, including investor materials preparation and term comparisons
The Ideal Candidate Will Have:
- 1–3 years of experience in an analytical, Excel-based role
- Advanced financial modelling skills in Excel (essential)
- Background in real estate debt financing (required)
- Experience in private equity, debt origination, or investment banking (preferred)
- Native or fluent proficiency in French, Dutch, German, or Italian (advantageous)
- Strong Microsoft Office skills (Excel, PowerPoint, etc.)
- A proactive, hard-working approach with the ability to thrive in an entrepreneurial and collaborative environment
Contact Detail:
Strand Hill Recruiting Team